Master Financial Analysis Through Practice
Our comprehensive program transforms theoretical knowledge into practical skills. You'll work with real financial data, build authentic models, and learn from industry professionals who've navigated complex markets.
Start Your JourneyResults That Speak Volumes
Over the past three years, our graduates have landed roles at major financial institutions across Australia. But here's what really matters - they're prepared for the real challenges they face.
Last month, we received Australian Financial Education Excellence Award. Nice recognition, but honestly - seeing our students confidently present complex valuations to senior management is the real win.
Flexible Learning That Works
We know everyone learns differently. That's why we've built multiple pathways through the same rigorous curriculum.
Evening Intensive
Perfect for working professionals. Three evenings per week, 6-month program. You'll cover the same ground as our full-time students, just structured around your schedule.
- Tuesday, Wednesday, Thursday 6:30-9:30 PM
- Saturday workshops once monthly
- Online support forum active 24/7
- Personal mentor assigned week 2
Weekend Immersion
Intensive weekend sessions over 10 months. Ideal if you prefer concentrated learning blocks. Each weekend builds directly on the previous session's concepts.
- Every second Saturday and Sunday
- 9 AM to 4 PM both days
- Hands-on case studies each session
- Small groups maximum 12 students
Self-Paced Digital
Complete flexibility with structured milestones. Access recorded lectures, interactive exercises, and live monthly check-ins with instructors.
- 12-month access to all materials
- Monthly live Q&A sessions
- Peer discussion groups by region
- Final project presentation required
Kieran Pembroke
Senior Equity Analyst
Spent 12 years at Macquarie before joining us. Kieran has this knack for explaining complex valuation models in ways that actually stick. He's tough but fair - students leave his sessions confident they can handle anything.
Elena Kowalski
Portfolio Manager
Elena brings real-world perspective from managing $2.3 billion in assets. She doesn't sugarcoat the challenges of financial analysis - her students graduate knowing what they're actually getting into.
Henrik Svensson
Risk Management Director
Former head of risk at ANZ, Henrik teaches the messy reality of financial modeling. His approach: learn theory, then immediately apply it to scenarios that would make your head spin in the real world.